Market Monitoring

2021-11-24

Market Summary

Index Summary

Product Summary

Gainer/Loser Summary

Most Active Stocks

Symbol Name Price_Change% Market_Cap Volume Symbol Name Price_Change% Market_Cap Volume
AAPL Apple Inc. 2.19 2629000000000 85644000.0 ITUB Itaú Unibanco Holding S.A. -0.50 39217000000 41569000.0
LCID Lucid Group, Inc. 6.46 90649000000 75923000.0 NVDA NVIDIA Corporation 5.95 831730000000 44556000.0
TWTR Twitter, Inc. -2.74 36606000000 71416000.0 BBD Banco Bradesco S.A. -1.92 34689000000 36628000.0
PFE Pfizer Inc. -2.96 294114000000 71835000.0 NIO NIO Inc. 1.18 64354000000 34253000.0
F Ford Motor Company -0.41 78606000000 68011000.0 NCLH Norwegian Cruise Line Holdings Ltd. 0.80 8430000000 34096000.0
CCL Carnival Corporation & plc 1.17 21170000000 57643000.0 PBR Petróleo Brasileiro S.A. - Petrobras 3.25 70504000000 31692000.0
AMD Advanced Micro Devices, Inc. 4.59 195524000000 57139000.0 MRNA Moderna, Inc. 11.80 149412000000 33730000.0
T AT&T Inc. -1.36 170598000000 52396000.0 MRK Merck & Co., Inc. -5.39 189168000000 33683000.0
BAC Bank of America Corporation -0.37 373112000000 49563000.0 PLTR Palantir Technologies Inc. 0.19 42242000000 28862000.0
AAL American Airlines Group Inc. -0.06 11487000000 42630000.0 ET Energy Transfer LP -2.60 23297000000 26573000.0

Most Gain

Symbol Name Price_Change% Market_Cap Volume Symbol Name Price_Change% Market_Cap Volume
GRPAQ Grupo Aeroméxico, S.A.B. de C.V. 86566.66 144488000000 52341.0 FSR Fisker Inc. 11.57 6540000000 12144000.0
ADGI Adagio Therapeutics, Inc. 86.43 5210000000 18358000.0 EXAI Exscientia plc 10.33 2635000000 51687.0
MTTR Matterport, Inc. 21.20 8015000000 18708000.0 CICOY COSCO SHIPPING Holdings Co., Ltd. 9.93 37985000000 28208.0
TGLVY Top Glove Corporation Bhd. 15.66 5803000000 71777.0 STVN Stevanato Group S.p.A. 9.11 13614000000 311234.0
LAC Lithium Americas Corp. 14.77 4923000000 8412000.0 DOCS Doximity, Inc. 9.06 12501000000 3709000.0
LKNCY Luckin Coffee Inc. 13.28 3757000000 2032000.0 GDRX GoodRx Holdings, Inc. 8.91 15995000000 1879000.0
VALN Valneva SE 12.89 3530000000 134817.0 AMPL Amplitude, Inc. 8.60 7813000000 1033000.0
INRLF Valneva SE 12.69 3495000000 16551.0 NVNXF Novonix Limited 8.56 4013000000 819987.0
VIR Vir Biotechnology, Inc. 12.44 5298000000 3488000.0 ZIM ZIM Integrated Shipping Services Ltd. 8.37 6834000000 4489000.0
MRNA Moderna, Inc. 11.80 149412000000 33730000.0 CX CEMEX, S.A.B. de C.V. 8.03 9309000000 15601000.0

Most Lose

Symbol Name Price_Change% Market_Cap Volume Symbol Name Price_Change% Market_Cap Volume
OBMP Theralink Technologies, Inc. -26.67 7333000000 27018.0 WB Weibo Corporation -7.43 9074000000 4134000.0
NVAX Novavax, Inc. -11.02 14665000000 9889000.0 ATRC AtriCure, Inc. -7.06 3031000000 347320.0
BHG Bright Health Group, Inc. -10.46 2099000000 4080000.0 MQ Marqeta, Inc. -6.98 11078000000 9814000.0
LTH Life Time Group Holdings, Inc. -9.85 3853000000 1057000.0 RLLCF Rolls-Royce Holdings plc -6.85 296490000000 8042000.0
WYNMY Wynn Macau, Limited -8.77 4752000000 46789.0 AHCO AdaptHealth Corp. -6.76 2663000000 1086000.0
LILM Lilium N.V. -8.26 2051000000 1235000.0 ZH Zhihu Inc. -6.75 4110000000 2720000.0
BRPHF Galaxy Digital Holdings Ltd. -8.24 2383000000 841597.0 AXNX Axonics, Inc. -6.68 2528000000 1101000.0
WYNMF Wynn Macau, Limited -8.06 4789000000 45597.0 IUGNF Imugene Limited -6.58 2106000000 47240.0
RLX RLX Technology Inc. -7.99 7964000000 23044000.0 DDL Dingdong (Cayman) Limited -6.39 5292000000 41581.0
ESMT EngageSmart, LLC -7.85 3321000000 491349.0 DADA Dada Nexus Limited -6.27 4997000000 840218.0

Fund Summary

ticker currency share unit_cost lastday_price today_price total_cost curr_value profit today_roe today_ir value_in_cad category products
0 0P00016N6T.TO CAD 109.17 -36.64 39.31 39.29 -4000 4289.0 289 0.07 -0.0005 4289.0 IT MUTUAL
1 CASH CAD 26798.0 26798.0 CASH CASH
2 CASH USD 17207.0 21790.0 CASH CASH
3 ENB.TO CAD 80 -36.12 50.61 50.66 -2890 4053.0 1163 0.4 0.001 4053.0 OIL STOCK
4 HGU.TO CAD 75 -32.54 16.58 16.53 -2441 1240.0 -1201 -0.49 -0.003 1240.0 GOLD ETF
5 HUZ.TO CAD 250 -12.37 11.24 11.28 -3093 2820.0 -273 -0.09 0.0036 2820.0 SILVER ETF
6 HZU.TO CAD 90 -23.41 13.65 13.72 -2107 1235.0 -872 -0.41 0.0051 1235.0 SILVER ETF
7 SPCE USD 70 -16.94 16.83 17.03 -1186 1192.0 6 0.01 0.0119 1510.0 SPACE STOCK
8 VDE USD 57 -51.82 80.67 81.53 -2954 4647.0 1693 0.57 0.0107 5885.0 OIL ETF

Holdings Summary

Portfolio Summary

Portfolio Summary Generated on: 2021-11-26
Description CAD USD All_in_CAD
0 Initial Fund $41,327.00 $21,347.00 $68,360.20
1 Current Cash $26,797.51 $17,207.46 $48,588.52
2 Investment% 33.7% 25.3% 30.2%
3 Market Value $40,435.00 $23,046.00 $69,619.76
4 Profit ($892.00) $1,699.00 $1,259.56
5 ROC -2.2% 8.0% 1.8%

Holdings Summary

Portfolio Summary 2021-11-23

  • Initial Fund: CAD: $41,327.00, USD: $21,347.00, All in CAD: $68,440.47.
  • Current Cash: CAD: $26,797.51, USD: $17,207.46, All in CAD: $48,653.22
  • Investment Percentage: CAD: 34.4%, USD: 24.7%, Overall: 30.4%
  • Market Value: CAD: $40,862.00, USD: $22,862.00, All in CAD: $69,899.71
  • Profit: CAD: ($465.00), USD: $1,515.00, All in CAD: $1,459.25
  • ROE: CAD: -1.1%, USD: 7.1%, Overall: 2.1%

Fund Distribution

Current Holdings Market Watch

Recent News of 0P00016N6T.TO :
================================================================
=============================== 0P00016N6T.TO =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets 2024229632
previousClose 39.31
open NaN
fiftyDayAverage 39.2672
fiftyDayAverage 39.2672
fiftyTwoWeekLow 16.73
fiftyTwoWeekHigh 38.07
twoHundredDayAverage 36.2278
volume NaN
averageVolume 0
averageVolume10days 0
averageDailyVolume10Day 0
-------------------------- Key Factor ----------------------------
Value
category None
fundFamily None
fundInceptionDate 2015-10-19 20:00:00
legalType None
-------------------------- Fund Sector ----------------------------
Fund Sector Percentage
4 technology 0.5880
5 communication_services 0.1770
1 consumer_cyclical 0.1681
6 financial_services 0.0533
0 realestate 0.0135
2 basic_materials 0.0000
3 consumer_defensive 0.0000
7 utilities 0.0000
8 industrials 0.0000
9 energy 0.0000
10 healthcare 0.0000
-------------------------- Holdings ----------------------------
symbol holdingName holdingPercent
0 SE.SI Sea Ltd ADR 0.0542
1 AMZN Amazon.com Inc 0.0443
2 2330.TW Taiwan Semiconductor Manufacturing Co Ltd 0.0396
3 SHOP.TO Shopify Inc A 0.0387
4 TEAM Atlassian Corporation PLC A 0.0322
5 CRWD CrowdStrike Holdings Inc Class A 0.0308
6 WDAY Workday Inc Class A 0.0290
7 TSLA Tesla Inc 0.0273
8 NFLX Netflix Inc 0.0270
9 V Visa Inc Class A 0.0270
-------------------------- Returns ----------------------------
Value
morningStarReturnRating 0.0000
numYearsUp 4.0000
numYearsDown 1.0000
bestOneYrTotalReturn 0.6943
worstOneYrTotalReturn -0.0345
bestThreeYrTotalReturn 0.6943
worstThreeYrTotalReturn 0.1033

Value
asOfDate 2021-11-25 19:00:00
ytd 0.195669
oneMonth -0.0258349
threeMonth 0.0074943
oneYear 0.287797
threeYear 0.386523
fiveYear 0.177507
tenYear 0
lastBullMkt 0
lastBearMkt 0

year annualValue
0 2021 NaN
1 2020 0.694287
2 2019 0.262508
3 2018 -0.034504
4 2017 0.364726
5 2016 0.019197
-------------------------- Risk Factors ----------------------------
year alpha beta meanAnnualReturn rSquared stdDev sharpeRatio treynorRatio
0 5y 9.48 1.31 2.27 63.09 18.47 1.42 21.20
1 3y 10.89 1.27 2.22 65.57 20.86 1.22 20.78
2 10y NaN NaN NaN NaN NaN NaN NaN
=========================================================================
Recent News of ENB.TO :
-------------------------------------------------------------
Canada's Capital Power and Enbridge to partner on carbon capture project
-------------------------------------------------------------
Capital Power and Enbridge Collaborate to Reduce CO2 Emissions in Alberta
-------------------------------------------------------------
Capital Power and Enbridge Collaborate to Reduce CO₂ Emissions in Alberta
-------------------------------------------------------------
Enbridge to Explore Extending Mainline Pact After Canada Regulator Rejection
-------------------------------------------------------------
Enbridge Responds to Canada Energy Regulator Decision to Deny Mainline Contracting
-------------------------------------------------------------
CER Issues Mainline Contracting Regulatory Decision
-------------------------------------------------------------
Enbridge Plan to Keep Oil Pipelines Full Rejected by Canadian Regulator
================================================================
=============================== ENB.TO =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets NaN
previousClose 49.79
open 49.85
fiftyDayAverage 51.525
fiftyDayAverage 51.525
fiftyTwoWeekLow 40.36
fiftyTwoWeekHigh 54
twoHundredDayAverage 48.6283
volume 12065505
averageVolume 8276844
averageVolume10days 10198350
averageDailyVolume10Day 10198350
-------------------------- Key Factor ----------------------------
Value
category None
fundFamily None
legalType None
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
=========================================================================
Recent News of HGU.TO :
================================================================
=============================== HGU.TO =================================

-------------------------- Summary Details ----------------------------
-------------------------- Key Factor ----------------------------
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
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Recent News of HUZ.TO :
================================================================
=============================== HUZ.TO =================================

-------------------------- Summary Details ----------------------------
-------------------------- Key Factor ----------------------------
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
=========================================================================
Recent News of HZU.TO :
================================================================
=============================== HZU.TO =================================

-------------------------- Summary Details ----------------------------
-------------------------- Key Factor ----------------------------
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
=========================================================================
Recent News of SPCE :
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Shareholders in Virgin Galactic Holdings (NYSE:SPCE) have lost 38%, as stock drops 3.0% this past week
================================================================
=============================== SPCE =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets NaN
previousClose 16.73
open 16.78
fiftyDayAverage 21.044
fiftyDayAverage 21.044
fiftyTwoWeekLow 14.27
fiftyTwoWeekHigh 62.8
twoHundredDayAverage 28.4364
volume 10134276
averageVolume 13548811
averageVolume10days 9548550
averageDailyVolume10Day 9548550
-------------------------- Key Factor ----------------------------
Value
category None
fundFamily None
legalType None
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
=========================================================================
Recent News of VDE :
================================================================
=============================== VDE =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets 6696737792
previousClose 78
open 79.89
fiftyDayAverage 78.9568
fiftyDayAverage 78.9568
fiftyTwoWeekLow 49.74
fiftyTwoWeekHigh 84.21
twoHundredDayAverage 72.6703
volume 1362916
averageVolume 1129534
averageVolume10days 1423020
averageDailyVolume10Day 1423020
-------------------------- Key Factor ----------------------------
Value
category Equity Energy
ytdReturn 0.6022
fundFamily Vanguard
fundInceptionDate 2004-09-22 20:00:00
legalType Exchange Traded Fund
-------------------------- Fund Sector ----------------------------
Fund Sector Percentage
9 energy 0.9977
2 basic_materials 0.0019
8 industrials 0.0005
0 realestate 0.0000
1 consumer_cyclical 0.0000
3 consumer_defensive 0.0000
4 technology 0.0000
5 communication_services 0.0000
6 financial_services 0.0000
7 utilities 0.0000
10 healthcare 0.0000
-------------------------- Holdings ----------------------------
symbol holdingName holdingPercent
0 XOM Exxon Mobil Corp 0.2195
1 CVX Chevron Corp 0.1656
2 COP ConocoPhillips 0.0617
3 EOG EOG Resources Inc 0.0401
4 SLB Schlumberger Ltd 0.0353
5 MPC Marathon Petroleum Corp 0.0327
6 PSX Phillips 66 0.0312
7 KMI Kinder Morgan Inc Class P 0.0306
8 PXD Pioneer Natural Resources Co 0.0281
9 WMB Williams Companies Inc 0.0266
-------------------------- Returns ----------------------------
Value
asOfDate 2021-11-21 19:00:00
ytdReturnPct 0.6022
oneYearTotalReturn 0.6207
threeYearTotalReturn 0.0156

Value
asOfDate 2021-06-29 20:00:00
ytd 0.4905
oneMonth 0.052
threeMonth 0.1257
oneYear 0.5738
threeYear -0.0673
fiveYear -0.0107
tenYear -0.0087
lastBullMkt 0
lastBearMkt 0

year annualValue
0 2021 NaN
1 2020 -0.330443
2 2019 0.093183
3 2018 -0.199139
4 2017 -0.024044
5 2016 0.289601
6 2015 -0.232150
7 2014 -0.099182
8 2013 0.257750
9 2012 0.034584
10 2011 0.027980
11 2010 0.210897
12 2009 0.249044
13 2008 -0.393130
14 2007 0.348651
15 2006 0.189829
16 2005 0.390454
17 2004 NaN
-------------------------- Risk Factors ----------------------------
year alpha beta meanAnnualReturn rSquared stdDev sharpeRatio treynorRatio
0 5y -22.00 1.90 0.42 63.79 34.58 0.11 -1.16
1 3y -27.51 2.03 0.18 73.38 42.61 0.02 -3.90
2 10y -13.01 1.58 0.27 61.25 28.45 0.09 -0.94
=========================================================================

Watch List

Recent News of JETS :
-------------------------------------------------------------
New COVID Variant Fears Rattle Markets
================================================================
=============================== JETS =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets 3616804864
previousClose 20.53
open 21.01
fiftyDayAverage 23.3202
fiftyDayAverage 23.3202
fiftyTwoWeekLow 19.9
fiftyTwoWeekHigh 28.98
twoHundredDayAverage 24.6108
volume 12209900
averageVolume 7069849
averageVolume10days 8415740
averageDailyVolume10Day 8415740
-------------------------- Key Factor ----------------------------
Value
category Miscellaneous Sector
ytdReturn -0.0128
fundFamily U.S. Global Investors
fundInceptionDate 2015-04-29 20:00:00
legalType Exchange Traded Fund
-------------------------- Fund Sector ----------------------------
Fund Sector Percentage
8 industrials 0.9158
1 consumer_cyclical 0.0740
4 technology 0.0102
0 realestate 0.0000
2 basic_materials 0.0000
3 consumer_defensive 0.0000
5 communication_services 0.0000
6 financial_services 0.0000
7 utilities 0.0000
9 energy 0.0000
10 healthcare 0.0000
-------------------------- Holdings ----------------------------
symbol holdingName holdingPercent
0 DAL Delta Air Lines Inc 0.1001
1 UAL United Airlines Holdings Inc 0.0987
2 LUV Southwest Airlines Co 0.0981
3 AAL American Airlines Group Inc 0.0953
4 ALK Alaska Air Group Inc 0.0298
5 SNCY Sun Country Airlines Holdings Inc 0.0297
6 ALGT Allegiant Travel Co 0.0294
7 JBLU JetBlue Airways Corp 0.0286
8 SKYW SkyWest Inc 0.0285
9 AC.TO Air Canada Class B 0.0284
-------------------------- Returns ----------------------------
Value
asOfDate 2021-11-21 19:00:00
ytdReturnPct -0.0128
oneYearTotalReturn 0.0343
threeYearTotalReturn -0.1053

Value
asOfDate 2021-06-29 20:00:00
ytd 0.0804
oneMonth -0.0994
threeMonth -0.1014
oneYear 0.4529
threeYear -0.0517
fiveYear 0.0353
tenYear 0
lastBullMkt 0
lastBearMkt 0

year annualValue
0 2021 NaN
1 2020 -0.289900
2 2019 0.141013
3 2018 -0.137607
4 2017 0.183987
5 2016 0.131517
6 2015 NaN
-------------------------- Risk Factors ----------------------------
year alpha beta meanAnnualReturn rSquared stdDev sharpeRatio treynorRatio
0 5y -15.0 1.70 0.77 55.71 33.07 0.24 1.40
1 3y -23.3 1.82 0.29 64.17 40.90 0.06 -3.52
2 10y 0.0 0.00 0.00 0.00 0.00 0.00 0.00
=========================================================================
Recent News of BKNG :
-------------------------------------------------------------
Brian Higgins’ King Street Capital Portfolio: Top 10 Stock Picks
-------------------------------------------------------------
Online Travel Stocks Fall Most Since March 2020 on Variant Fears
================================================================
=============================== BKNG =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets NaN
previousClose 2155.56
open 2206.42
fiftyDayAverage 2433.84
fiftyDayAverage 2433.84
fiftyTwoWeekLow 1860.73
fiftyTwoWeekHigh 2687.29
twoHundredDayAverage 2323.02
volume 448676
averageVolume 300880
averageVolume10days 401580
averageDailyVolume10Day 401580
-------------------------- Key Factor ----------------------------
Value
category None
fundFamily None
legalType None
-------------------------- Fund Sector ----------------------------
-------------------------- Holdings ----------------------------
-------------------------- Returns ----------------------------
-------------------------- Risk Factors ----------------------------
=========================================================================
Recent News of AWAY :
================================================================
=============================== AWAY =================================

-------------------------- Summary Details ----------------------------
Value
totalAssets 381284480
previousClose 23.97
open 24.37
fiftyDayAverage 27.8248
fiftyDayAverage 27.8248
fiftyTwoWeekLow 23.48
fiftyTwoWeekHigh 34.54
twoHundredDayAverage 29.1173
volume 311094
averageVolume 256374
averageVolume10days 347300
averageDailyVolume10Day 347300
-------------------------- Key Factor ----------------------------
Value
category Consumer Cyclical
ytdReturn -0.0005
fundFamily ETFMG
fundInceptionDate 2020-02-11 19:00:00
legalType Exchange Traded Fund
-------------------------- Fund Sector ----------------------------
Fund Sector Percentage
1 consumer_cyclical 0.6179
4 technology 0.2597
5 communication_services 0.1224
0 realestate 0.0000
2 basic_materials 0.0000
3 consumer_defensive 0.0000
6 financial_services 0.0000
7 utilities 0.0000
8 industrials 0.0000
9 energy 0.0000
10 healthcare 0.0000
-------------------------- Holdings ----------------------------
symbol holdingName holdingPercent
0 ABNB Airbnb Inc Ordinary Shares - Class A 0.0495
1 UBER Uber Technologies Inc 0.0480
2 BKNG Booking Holdings Inc 0.0445
3 LYFT Lyft Inc Class A 0.0445
4 MMYT.BO MakeMyTrip Ltd 0.0440
5 TRN.L Trainline PLC 0.0428
6 TCOM Trip.com Group Ltd ADR 0.0422
7 00696 TravelSky Technology Ltd Class H 0.0411
8 EXPE Expedia Group Inc 0.0398
9 TRIP TripAdvisor Inc 0.0395
-------------------------- Returns ----------------------------
Value
asOfDate 2021-11-21 19:00:00
ytdReturnPct -0.0005
oneYearTotalReturn 0.0807
threeYearTotalReturn 0

Value
asOfDate 2021-06-29 20:00:00
ytd 0.1506
oneMonth -0.044
threeMonth -0.0467
oneYear 0.6184
threeYear 0
fiveYear 0
tenYear 0
lastBullMkt 0
lastBearMkt 0

year
0 2021
1 2020
-------------------------- Risk Factors ----------------------------
year alpha beta meanAnnualReturn rSquared stdDev sharpeRatio treynorRatio
0 5y 0.0 0.0 0.0 0.0 0.0 0.0 0.0
1 3y 0.0 0.0 0.0 0.0 0.0 0.0 0.0
2 10y 0.0 0.0 0.0 0.0 0.0 0.0 0.0
=========================================================================

News Details

Current Holdings

News for 0P00016N6T.TO
================================================================
News for ENB.TO
-------------------------------------------------------------
Canada's Capital Power and Enbridge to partner on carbon capture project
The proposed project would serve Capital Power's Genesee Generating Station near Warburg, Alberta, which currently provides over 1,200 megawatts of baseload electricity generation to Albertans.  Alberta, home to Canada's oil sands, is aiming to become a hub for carbon storage and hydrogen production as the world moves away from fossil fuel consumption and tries to cut climate-warming carbon emissions.
https://ca.finance.yahoo.com/news/canadas-capital-power-enbridge-partner-141430045.html?.tsrc=rss
-------------------------------------------------------------
Capital Power and Enbridge Collaborate to Reduce CO2 Emissions in Alberta
Open access carbon hub in Wabamun area of central Alberta would support Capital Power and other local companiesEDMONTON, Alberta, Nov. 29, 2021 (GLOBE NEWSWIRE) -- Capital Power Corporation (TSX: CPX) and Enbridge Inc. (TSX: ENB) (NYSE: ENB) are pleased to announce a memorandum of understanding to collaborate on carbon capture and storage (CCS) solutions in the Wabamun area west of Edmonton, Alberta, near Capital Power’s Genesee Generating Station. Enbridge and Capital Power have agreed to joint
https://finance.yahoo.com/news/capital-power-enbridge-collaborate-reduce-130000939.html?.tsrc=rss
-------------------------------------------------------------
Capital Power and Enbridge Collaborate to Reduce CO₂ Emissions in Alberta
Capital Power Corporation (TSX: CPX) and Enbridge Inc. (TSX: ENB) (NYSE: ENB) are pleased to announce a memorandum of understanding to collaborate on carbon capture and storage (CCS) solutions in the Wabamun area west of Edmonton, Alberta, near Capital Power's Genesee Generating Station.
https://finance.yahoo.com/news/capital-power-enbridge-collaborate-reduce-130000135.html?.tsrc=rss
-------------------------------------------------------------
Enbridge to Explore Extending Mainline Pact After Canada Regulator Rejection
(Bloomberg) -- Enbridge Inc. plans to explore several alternatives, including the extension of its previous commercial agreement, for its Mainline pipeline network after Canada’s top energy regulator rejected the company’s proposal to use long-term contracts.Most Read from BloombergChina Cash Flowed Through Congo Bank to Former President’s Cronies‘Pension Poachers’ Are Targeting America’s Elderly VeteransThe Calgary-based company will explore with stakeholders a modified version of Competitive T
https://finance.yahoo.com/news/enbridge-explore-extending-mainline-pact-230936914.html?.tsrc=rss
-------------------------------------------------------------
Enbridge Responds to Canada Energy Regulator Decision to Deny Mainline Contracting
Enbridge Inc. (Enbridge or the Company) (TSX: ENB) (NYSE: ENB) today responded to the Canada Energy Regulator's (CER) November 26, 2021 decision to deny the implementation of contracting for firm service on the Enbridge Canadian Mainline system.
https://finance.yahoo.com/news/enbridge-responds-canada-energy-regulator-210000738.html?.tsrc=rss
-------------------------------------------------------------
CER Issues Mainline Contracting Regulatory Decision
Enbridge Inc. (Enbridge or the Company) (TSX: ENB) (NYSE: ENB) today received a decision from the Canada Energy Regulator (CER) on the Company's commercial proposal to offer transportation contracting on its Mainline pipeline system, which moves approximately 3 million barrels a day of liquids from Edmonton, AB to essential U.S. demand centers.
https://finance.yahoo.com/news/cer-issues-mainline-contracting-regulatory-225500785.html?.tsrc=rss
-------------------------------------------------------------
Enbridge Plan to Keep Oil Pipelines Full Rejected by Canadian Regulator
(Bloomberg) -- Enbridge Inc.’s proposal to keep its massive Mainline oil pipeline network full through long-term contracts was rejected by Canada’s top energy regulator in a win for some producers who want more flexibility to ship their crude. Most Read from BloombergChina Cash Flowed Through Congo Bank to Former President’s CroniesBillionaire Family Feud Puts a Century-Old Business Empire in JeopardyAn Arab City’s Booming Art Scene Is Also a Grab at Soft Power“Mainline contracting would likely
https://finance.yahoo.com/news/enbridge-plan-keep-oil-pipelines-213710925.html?.tsrc=rss
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News for HGU.TO
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News for HUZ.TO
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News for HZU.TO
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News for SPCE
-------------------------------------------------------------
Shareholders in Virgin Galactic Holdings (NYSE:SPCE) have lost 38%, as stock drops 3.0% this past week
Investors can approximate the average market return by buying an index fund. While individual stocks can be big...
https://finance.yahoo.com/news/shareholders-virgin-galactic-holdings-nyse-183021628.html?.tsrc=rss
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News for VDE
================================================================

Watch List

News for JETS
-------------------------------------------------------------
New COVID Variant Fears Rattle Markets
Worries over just how bad the newest COVID variant will be have sent the market on a rout.
https://finance.yahoo.com/news/covid-variant-fears-rattle-markets-170000930.html?.tsrc=rss
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News for BKNG
-------------------------------------------------------------
Brian Higgins’ King Street Capital Portfolio: Top 10 Stock Picks
In this article, we discuss the top 10 stock picks of Brian Higgins’ King Street Capital. If you want to skip our detailed analysis of these stocks, go directly to Brian Higgins’ King Street Capital Portfolio: Top 5 Stock Picks. Brian Higgins co-founded King Street Capital in 1995, and currently serves as the managing partner […]
https://finance.yahoo.com/news/brian-higgins-king-street-capital-180502387.html?.tsrc=rss
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Online Travel Stocks Fall Most Since March 2020 on Variant Fears
(Bloomberg) -- Shares of online travel companies, including Booking Holdings Inc. and Expedia Group Inc., fell the most since the earliest days of the Covid-19 pandemic over worries about a new, heavily-mutated variant of the virus.Most Read from BloombergChina Cash Flowed Through Congo Bank to Former President’s Cronies‘Pension Poachers’ Are Targeting America’s Elderly VeteransReliving the New York Subway Map DebateExpedia plummeted as much as 11.9%, the most since March 2020, placing it among
https://finance.yahoo.com/news/online-travel-stocks-fall-most-161044631.html?.tsrc=rss
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News for AWAY
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